visit affiliate
HLAM

Hong Leong Islamic Cash Management Fund

Hong Leong Islamic Cash Management Fund

The Hong Leong Islamic Cash Management Fund aims to provide regular income1 while maintaining capital stability2 by investing in Islamic deposits and/or Islamic money market instruments.    
Valuation Date NAV (RM)

Fund Information

Fund Category Money Market (Islamic)
Fund Type Income
Product Risk Rating Low
Launch Date 04 December 2013
Asset Allocation (% of Fund’s NAV)

Islamic deposits and/or Islamic money market instruments: 100% of the Fund’s NAV.

Performance Benchmark

Bank Negara Malaysia Islamic Interbank Overnight Rate

Investor Profile

This Fund is suitable for Sophisticated Investors who:

(i) have low risk tolerance;

(ii) are seeking regular income1;

(iii) require a high level of liquidity2; and

(iv) wish to park their excess funds in a stable3 Shariah compliant investment vehicle.

 

Notes:

1 Income (if any) may be distributed in the form of cash and/or additional Units.

2 Redemption monies of this Fund will generally be paid on the following Business Day after receipt of the duly completed redemption request by the Manager. For  more information, please refer to Section 6.4. – “Redemption of Units”.

3 Please take note that this Fund is not a capital guaranteed or capital protected fund and returns are not guaranteed.

Minimum Initial Investment RM100,000
Minimum Subsequent Investment RM100,000
Specific Risks
  • Reinvestment risk;
  • Counterparty risk; and
  • Liquidity risk
Notes:
  • Income (if any) may be distributed in the form of cash and/or additional Units.  
  • Please take note that this Fund is not a capital guaranteed or capital protected fund and returns are not guaranteed.   
The information contained herein does not suggest, imply and should not be construed, in any manner, a guarantee of future performance and/or investment advice. Past performance does not guarantee future results. Therefore, no current or prospective investor should assume that the future performance will be profitable or equal to corresponding indicated performance levels. While the data contained herein has been prepared from information that HLAM believes to be reliable, HLAM does not warrant the accuracy or completeness of such information and shall not be liable in any manner whatsoever resulting from the use of this information.

Fee & Charges

Sales Charge# There is no sales charge imposed by the Manager.
Redemption Charge / Fee There is no redemption charge imposed by the Manager.
Switching Fee There is no switching fee imposed on switching of Units
Annual Management Fee# 0.20% per annum of the Fund’s NAV, calculated on a daily basis.
Annual Trustee Fee# Up to 0.01% per annum of the Fund’s NAV, subject to a minimum of RM10,000 per annum.

# The fees and charges stated are subject to any applicable taxes and/or duties and at such rate as may be imposed by the government from time to time. The Manager/Trustee (where applicable) shall have the right to charge and recover from the Fund any applicable taxes and/or duties now or hereafter imposed by law or required to be paid in connection with the products or services provided by the Manager/Trustee (where applicable).

Fund Performance

1M 6M 1Y 3Y 5Y YTD Since Inception Date
0.11 0.81 1.61 7.94 14.78 21.55 0.98 31/8/2021

Income Distribution

Gross
(sen)
Net
(sen)
Cum Distri Date Cum Distri Nav
(RM)
Reinvest Date Reinvest Price
(RM)
Yield
(%)
Income
(%)
Capital
(%)
0.7760 0.5780 19/9/2017 1.0058 20/9/2017 1.0001 - - -
0.8630 0.6430 20/6/2017 1.0064 21/6/2017 1.0001 - - -
0.7050 0.5580 14/3/2017 1.0056 15/3/2017 1.0001 - - -
0.8080 0.8080 20/12/2016 1.0081 21/12/2016 1.0001 2.93 - -
0.7430 0.7430 14/9/2016 1.0074 15/9/2016 1.0001 - - -
0.9210 0.9210 21/6/2016 1.0092 23/6/2016 1.0002 - - -
0.4110 0.4110 15/3/2016 1.0041 16/3/2016 1.0001 - - -
0.8220 0.8220 16/6/2015 1.0082 17/6/2015 1.0001 1.63 - -
0.8070 0.8070 17/3/2015 1.0081 18/3/2015 1.0001 - - -
0.7820 0.7820 16/12/2014 1.0078 17/12/2014 1.0001 2.19 - -
0.7890 0.7890 17/9/2014 1.0079 18/9/2014 1.0001 - - -
0.6000 0.6000 17/6/2014 1.0060 18/6/2014 1.0001 - - -
Source: Lipper. The Yield represents a financial ratio that shows how much a fund pays out in income distribution each year relative to its fund price at the beginning of the year. In the absence of any capital gains, the dividend yield is the return on investment for a fund.

Historical Fund Price

Valuation Date NAV (RM)
29/11/2024 1.0049
28/11/2024 1.0048
27/11/2024 1.0047
26/11/2024 1.0047
25/11/2024 1.0046
22/11/2024 1.0044
21/11/2024 1.0043
20/11/2024 1.0043
19/11/2024 1.0042
18/11/2024 1.0041
15/11/2024 1.0039
14/11/2024 1.0039
13/11/2024 1.0038
12/11/2024 1.0037
11/11/2024 1.0037
8/11/2024 1.0035
7/11/2024 1.0034
6/11/2024 1.0033
5/11/2024 1.0033
4/11/2024 1.0032